* Responsible for WEU treasury risk management including internal operation risk and external compliance risk control * Develop healthy liquidity such as cash planning, fund transfer, channel management, safety limit allocation across regions to achieve centralized treasury management and timely operation * Maintain optimal banking structures, financial authorization and e-banking * Liaise with financial organizations such as banks, insurance companies and the Financial Control Authority etc * Monitor FX risk management to ensure effective implement of FX policy * Assist in local investment and financing business (only applicable for those regions that support local investment and financing) * Ensure the compliance and safety of treasury transactions and settlements * Responsible for treasury management improvement in the long run including the internal process set-up and operation, internal control KPI management, training and treasury propaganda * Provide professional solutions for bank guarantees, letter of credits products etc which support the regional sales business in contract negotiation. * Establish close working relationship with HQ Treasury to integrate regional treasury management

Requirements: * Bachelor's Degree in Banking and Finance, accountancy or equivalent * Minimum of 2 years of working experience in the banking industry or others that relate to Treasury or banking function(s)； * Positive attitude, willing to learn and have good team spirit * Meticulous, pro-active, able to work independently and demonstrating strong analytical and communication skills * Good interpersonal skills and able to multitask in a demanding and fast paced environment * Proficient in written and spoken English, understanding of other languages （French，Spanish，Portuguese）would be the added advantage